Atnaujinta: 2024.11.26 10:29 (GMT+2)

Norma: Consolidated Cash Flow 09/00

2000.10.27, Norma, TLN
NORMA
CASH FLOW STATEMENT

CONSOLIDATED CASH FLOW 09/00

(EEK 000'), unaudited
30.09.2000 30.09.1999
Operating Activities
Operating Profit 126 251 118 992
Profit from Sale of Property, Plant and Equipment -2 743 -91
Depreciation 24 892 25 392
Property, Plant and Equipment Write-off 687 790
Increase (-), Decrease (+) in Current Assets 25 509 30 915
Increase (+), Decrease (-) in Current Liabilities 1 909 4 507
Interest Received and Other Financial Income 3 984 3 666
Taxes Paid -8 959 -23 096
Interest and Other Financial Expenses Paid -1 753 -3 650
169 166 156 714
Investing Activities
Property, Plant and Equipment Sold 12 033 1 049
Property, Plant and Equipment Acquired -23 087 -9 847
Loans Issued -96 -163
Associated Companies Sold 2 000 0
Loans Repaid 1 012 1 515
-8 138 -7 446
Financing Activities
Loans Repaid -13 336 -13 714
Dividends Paid -39 600 -39 600
-52 936 -53 314
Net Cash Flow 108 092 95 954

Movement in Cash and Cash Equivalents
Cash and Cash Equivalents at the Beginning of the Year: 149 335 67 041
Net Cash Flow 108 092 95 954
Foreign Exchange Gain 1 343 4 205
Cash and Cash Equivalents at the End of Year: 258 769 167 200
incl. Cash and Bank Accounts 155 228 167 006
Marketable Securities 103 541 194


Peep Siimon
Chairman of the Board
+372-6500-442

Vertybiniai popieriai

Akcijos
Obligacijos
Fondai

Rinkos informacija

Statistika
Prekyba
Indeksai
Aukcionai

Reguliavimas

Taisyklės ir nuostatos
Priežiūra

Kaip pradėti

Įmonėms
Investuotojams
Nariams
First North sertifikuotiems PATARĖJAMS

Naujienos

Nasdaq naujienos
Emitento naujienos
Kalendorius

Apie mus

Nasdaq Baltijos rinkoje
Biurai